An automobile owned by Dutcher, driven by Cionci, to whom
Dutcher had given the keys, in which Lynch and Harris were
passengers, collided with a truck driven by Smith. Cionci, Lynch
and Smith were killed, and Harris was injured. The administrator of
Lynch's estate, the petitioner here, sued Cionci's estate in a
diversity action which was settled for $50,000, which was not paid,
as Cionci's estate was penniless. Smith's administratrix and Harris
each brought a state court action against Cionci's estate, Dutcher,
and Lynch's estate, but these suits have never gone to trial.
Dutcher had an automobile policy with Lumbermens Mutual Casualty
Co., a respondent here, which had a limit of $100,000 for an
accident. The policy covered Dutcher's potential liability as
Cionci's "principal" and the direct liability of anyone driving the
car with Dutcher's permission. Lumbermens had declined to defend in
petitioner's action against Cionci's estate, believing that Cionci
lacked permission, and thus was not covered by the policy.
Petitioner then brought this diversity action for a declaration
that Cionci's use of the car had been "with permission" of Dutcher,
naming as defendants Lumbermens and Cionci's estate. The state
court tort plaintiffs were joined as plaintiffs, but Dutcher, a
Pennsylvania resident, as were all the plaintiffs, was not joined
either as plaintiff or defendant, a fact not adverted to at trial.
The District Court ruled that, under Pennsylvania law, the driver
is presumed to have the owner's permission, and the State's "Dead
Man Rule" did not permit Dutcher to testify in the two estate
claims, as his interest was adverse. The court directed verdicts in
favor of the two estates. Dutcher was allowed to testify as against
Harris, but the jury found that Cionci had had permission, and
awarded a verdict to Harris. Lumbermens appealed on state law
grounds, which the Court of Appeals did not reach. That court
reversed on the grounds that Dutcher was an indispensable party,
that the right of any person who "may be
Page 390 U. S. 103
affected" by the judgment to be joined is a "substantive" right,
unaffected by Rule 19 of the Fed.Rules of Civ.Proc., and that,
since Dutcher could not be joined without destroying diversity
jurisdiction, the action had to be dismissed. The court also
concluded that, since the state court actions "presented the mooted
question as to the coverage of the policy," the issue here, the
District Court should have declined jurisdiction to allow the state
courts to settle this question of state law.
Held:
1. On the basis of the record, and applying the "equity and good
conscience" test of Rule 19(b), the Court of Appeals erred in not
allowing the judgment to stand. Pp.
390 U. S.
107-116.
(a) Here, where Dutcher was assumedly a party who should, under
Rule 19(a), be "joined if feasible," but where his joinder as a
defendant would destroy diversity, is a problem within the scope of
Rule 19(b). Pp.
390 U. S.
108-109.
(b) Rule 19(b) has four "interests" to be examined, in this case
from an appellate perspective: plaintiff's interest in having a
forum, defendant's interest in avoiding multiple litigation,
interest of the outsider whom it would have been desirable to join,
and interests of courts and the public in complete, consistent, and
efficient settlement of controversies. Pp.
390 U. S.
109-111.
(c) Application of Rule 19's criteria by the Court of Appeals
would have resulted in a different conclusion. Pp.
390 U. S.
112-116.
2. The Court of Appeals' dismissal of Rule 19(b) as an
ineffective attempt to change the "substantive rights" stated in
Shields v.
Barrow, 17 How. 130, was erroneous, as the Rule is
a valid statement of the criteria for determining whether to
proceed or dismiss in the forced absence of an interested person.
Pp.
390 U. S.
116-125.
3. The Court of Appeals decided the procedural question
incorrectly. Pp.
390 U. S.
125-128.
(a) In deciding this discretionary matter, the court should have
considered the existence of a verdict reached after a prolonged
trial in which the defendants did not invoke the pending state
actions. Pp.
390 U. S.
125-126.
(b) The issue in the state court actions, whether Cionci was
acting as Dutcher's agent, differs from the question in this case
of whether Cionci had "permission" within the scope of the
insurance policy. P.
390 U. S.
127.
365 F.2d 802, vacated and remanded.
Page 390 U. S. 104
MR. JUSTICE HARLAN delivered the opinion of the Court.
This controversy, involving in its present posture the dismissal
of a declaratory judgment action for nonjoinder of an
"indispensable" party, began nearly 10 years ago with a traffic
accident. An automobile owned by Edward Dutcher, who was not
present when the accident occurred, was being driven by Donald
Cionci, to whom Dutcher had given the keys. John Lynch and John
Harris were passengers. The automobile crossed the median strip of
the highway and collided with a truck being driven by Thomas Smith.
Cionci, Lynch, and Smith were killed, and Harris was severely
injured.
Three tort actions were brought. Provident Tradesmens Bank, the
administrator of the estate of passenger Lynch and petitioner here,
sued the estate of the driver, Cionci, in a diversity action.
Smith's administratrix, and Harris in person, each brought a state
court action against the estate of Cionci, Dutcher the owner, and
the estate of Lynch. These Smith and Harris actions, for unknown
reasons, have never gone to trial, and are still pending. The Lynch
action against Cionci's estate was settled for $50,000, which the
estate of Cionci, being penniless, has never paid.
Dutcher, the owner of the automobile and a defendant in the as
-yet untried tort actions, had an automobile liability insurance
policy with Lumbermens Mutual Casualty Company, a respondent here.
That policy had an upper limit of $100,000 for all claims arising
out of a
Page 390 U. S. 105
single accident. This fund was potentially subject to two
different sorts of claims by the tort plaintiffs. First, Dutcher
himself might be held vicariously liable as Cionci's "principal";
the likelihood of such a judgment against Dutcher is a matter of
considerable doubt and dispute. Second, the policy, by its terms,
covered the direct liability of any person driving Dutcher's car
with Dutcher's "permission."
The insurance company had declined, after notice, to defend in
the tort action brought by Lynch's estate against the estate of
Cionci, believing that Cionci had not had permission, and hence was
not covered by the policy. The facts allegedly were that Dutcher
had entrusted his car to Cionci, but that Cionci had made a detour
from the errand for which Dutcher allowed his car to be taken. The
estate of Lynch, armed with its $50,000 liquidated claim against
the estate of Cionci, brought the present diversity action for a
declaration that Cionci's use of the car had been "with permission"
of Dutcher. The only named defendants were the company and the
estate of Cionci. The other two tort plaintiffs were joined as
plaintiffs. Dutcher, a resident of the State of Pennsylvania, as
were all the plaintiffs, was not joined either as plaintiff or
defendant. The failure to join him was not adverted to at the trial
level.
The major question of law contested at trial was a state law
question. The District Court had ruled that, as a matter of the
applicable (Pennsylvania) law, the driver of an automobile is
presumed to have the permission of the owner. Hence, unless
contrary evidence could be introduced, the tort plaintiffs, now
declaratory judgment plaintiffs, would be entitled to a directed
verdict against the insurance company. The only possible contrary
evidence was testimony by Dutcher as to restrictions he had imposed
on Cionci's use of the automobile. The two estate plaintiffs
claimed, however, that,
Page 390 U. S. 106
under the Pennsylvania "Dead Man Rule," Dutcher was incompetent
to testify on this matter as against them. The District Court
upheld this claim. It ruled that, under Pennsylvania law, Dutcher
was incompetent to testify against an estate if he had an "adverse"
interest to that of the estate. It found such adversity in
Dutcher's potential need to call upon the insurance fund to pay
judgments against himself, and his consequent interest in not
having part or all of the fund used to pay judgments against
Cionci. The District Court, therefore, directed verdicts in favor
of the two estates. Dutcher was, however, allowed to testify as
against the live plaintiff, Harris. The jury, nonetheless, found
that Cionci had had permission, and hence awarded a verdict to
Harris also.
Lumbermens appealed the judgment to the Court of Appeals for the
Third Circuit, raising various state law questions. [
Footnote 1] The Court of Appeals did not
reach any of these issues. Instead, after reargument en banc, it
decided, 5-2, to reverse on two alternative grounds, neither of
which had been raised in the District Court or by the
appellant.
The first of these grounds was that Dutcher was an indispensable
party. The court held that the "adverse interests" that had
rendered Dutcher incompetent to testify under the Pennsylvania Dead
Man Rule also required him to be made a party. The court did not
consider whether the fact that a verdict had already been rendered,
without objection to the nonjoinder of Dutcher, affected the
matter. Nor did it follow the provision of Rule 19 of the Federal
Rules of Civil Procedure that findings of "indispensability" must
be based on
Page 390 U. S. 107
stated pragmatic considerations. It held, to the contrary, that
the right of a person who "may be affected" by the judgment to be
joined is a "substantive" right, unaffected by the federal rules;
that a trial court "may not proceed" in the absence of such a
person, and that, since Dutcher could not be joined as a defendant
without destroying diversity jurisdiction, the action had to be
dismissed.
Since this ruling presented a serious challenge to the scope of
the newly amended Rule 19, we granted certiorari. 386 U.S. 940.
Concluding that the inflexible approach adopted by the Court of
Appeals in this case exemplifies the kind of reasoning that the
Rule was designed to avoid, we reverse.
I
The applicable parts of Rule 19 read as follows:
"Rule 19. Joinder of Persons Needed for Just Adjudication"
"(a) Persons to be Joined if Feasible. A person who is subject
to service of process and whose joinder will not deprive the court
of jurisdiction over the subject matter of the action shall be
joined as a party in the action if (1) in his absence complete
relief cannot be accorded among those already parties, or (2) he
claims an interest relating to the subject of the action and is so
situated that the disposition of the action in his absence may (i),
as a practical matter, impair or impede his ability to protect that
interest or (ii) leave any of the persons already parties subject
to a substantial risk of incurring double, multiple, or otherwise
inconsistent obligations by reason of his claimed interest. If he
has not been so joined, the court shall order that he be made a
party. If he should join as a plaintiff but refuses to do so, he
may be made a defendant,
Page 390 U. S. 108
or, in a proper case, an involuntary plaintiff. If the joined
party objects to venue and his joinder would render the venue of
the action improper, he shall be dismissed from the action."
"(b) Determination by Court Whenever Joinder not Feasible. If a
person as described in subdivision (a)(1)-(2) hereof cannot be made
a party, the court shall determine whether, in equity and good
conscience, the action should proceed among the parties before it,
or should be dismissed, the absent person being thus regarded as
indispensable. The factors to be considered by the court include:
first, to what extent a judgment rendered in the person's absence
might be prejudicial to him or those already parties; second, the
extent to which, by protective provisions in the judgment, by the
shaping of relief, or other measures, the prejudice can be lessened
or avoided; third, whether a judgment rendered in the person's
absence will be adequate; fourth, whether the plaintiff will have
an adequate remedy if the action is dismissed for nonjoinder."
We may assume, at the outset, that Dutcher falls within the
category of persons who, under § (a), should be "joined if
feasible." The action was for an adjudication of the validity of
certain claims against a fund. Dutcher, faced with the possibility
of judgments against him, had an interest in having the fund
preserved to cover that potential liability. Hence, there existed,
when this case went to trial, at least the possibility that a
judgment might impede Dutcher's ability to protect his interest, or
lead to later relitigation by him.
The optimum solution, an adjudication of the permission question
that would be binding on all interested persons, was not
"feasible," however, for Dutcher could not be made a defendant
without destroying diversity. Hence, the problem was the one to
which Rule 19(b)
Page 390 U. S. 109
appears to address itself: in the absence of a person who
"should be joined if feasible," should the court dismiss the action
or proceed without him? Since this problem emerged for the first
time in the Court of Appeals, there were also two subsidiary
questions. First, what was the effect, if any, of the failure of
the defendants to raise the matter in the District Court? Second,
what was the importance, if any, of the fact that a judgment,
binding on the parties although not binding on Dutcher, had already
been reached after extensive litigation? The three questions prove,
on examination, to be interwoven.
We conclude, upon consideration of the record and applying the
"equity and good conscience" test of Rule 19(b), that the Court of
Appeals erred in not allowing the judgment to stand.
Rule 19(b) suggests four "interests" that must be examined in
each case to determine whether, in equity and good conscience, the
court should proceed without a party whose absence from the
litigation is compelled. [
Footnote
2] Each of these interests must, in this case, be viewed
entirely from an appellate perspective, since the matter of joinder
was not considered in the trial court. First, the plaintiff has an
interest in having a forum. Before the trial, the strength of this
interest obviously depends upon whether a satisfactory alternative
forum exists. [
Footnote 3]
Page 390 U. S. 110
On appeal, if the plaintiff has won, he has a strong additional
interest in preserving his judgment. Second, the defendant may
properly wish to avoid multiple litigation, or inconsistent relief,
or sole responsibility for a liability he shares with another.
After trial, however, if the defendant has failed to assert this
interest, it is quite proper to consider it foreclosed. [
Footnote 4]
Third, there is the interest of the outsider whom it would have
been desirable to join. Of course, since the outsider is not before
the court, he cannot be bound by the judgment rendered. This means,
however, only that a judgment is not
res judicata as to,
or legally enforceable against, a nonparty. [
Footnote 5] It obviously does not mean either (a)
that a court may never issue a judgment that, in practice, affects
a nonparty or (b) that (to the contrary) a court may always proceed
without considering the potential effect on nonparties simply
because they are not "bound" in the technical sense. [
Footnote 6] Instead, as Rule 19(a) expresses
it, the court must consider the extent to which the judgment may,
"as a practical matter, impair or impede his ability to protect"
his interest in the subject matter. When a case has reached the
appeal stage, the matter is more complex. The judgment appealed
Page 390 U. S. 111
from may not, in fact, affect the interest of any outsider even
though there existed, before trial, a possibility that a judgment
affecting his interest would be rendered. [
Footnote 7] When necessary, however, a court of appeals
should, on its own initiative, take steps to protect the absent
party, who, of course, had no opportunity to plead and prove his
interest below. [
Footnote
8]
Fourth, there remains the interest of the courts and the public
in complete, consistent, and efficient settlement of controversies.
We read the Rule's third criterion, whether the judgment issued in
the absence of the nonjoined person will be "adequate," to refer to
this public stake in settling disputes by wholes, whenever
possible, for clearly the plaintiff, who himself chose both the
forum and the parties defendant, will not be heard to complain
about the sufficiency of the relief obtainable against them. After
trial, considerations of efficiency, of course, include the fact
that the time and expense of a trial have already been spent.
Rule 19(b) also directs a district court to consider the
possibility of shaping relief to accommodate these four interests.
Commentators had argued that greater attention should be paid to
this potential solution to a joinder stymie, [
Footnote 9] and the Rule now makes it explicit
that
Page 390 U. S. 112
a court should consider modification of a judgment as an
alternative to dismissal. [
Footnote 10] Needless to say, a court of appeals may also
properly require suitable modification as a condition of
affirmance.
Had the Court of Appeals applied Rule 19's criteria to the facts
of the present case, it could hardly have reached the conclusion it
did. We begin with the plaintiffs' viewpoint. It is difficult to
decide at this stage whether they would have had an "adequate"
remedy had the action been dismissed before trial for nonjoinder:
we cannot here determine whether the plaintiffs could have brought
the same action, against the same parties plus Dutcher, in a state
court. After trial, however, the "adequacy" of this hypothetical
alternative, from the plaintiffs' point of view, was obviously
greatly diminished. Their interest in preserving a fully litigated
judgment should be overborne only by rather greater opposing
considerations than would be required at an earlier stage when the
plaintiffs' only concern was for a federal, rather than a state
forum.
Opposing considerations in this case are hard to find. The
defendants had no stake, either asserted or real, in the joinder of
Dutcher. They showed no interest in joinder until the Court of
Appeals took the matter into its own hands. This properly
forecloses any interest of theirs, but, for purposes of clarity, we
note that the insurance company, whose liability was limited to
$100,000, had or will have full opportunity to litigate each claim
on that fund against the claimant involved. Its only concern with
the absence of Dutcher was and is to obtain a windfall escape from
its defeat at trial.
Page 390 U. S. 113
The interest of the outsider, Dutcher, is more difficult to
reckon. The Court of Appeals, concluding that it should not follow
Rule 19's command to determine whether, as a practical matter, the
judgment impaired the nonparty's ability to protect his rights,
simply quoted the District Court's reasoning on the Dead Man issue
as proof that Dutcher had a "right" to be joined:
"'The subject matter of this suit is the coverage of Lumbermens'
policy issued to Dutcher. Depending upon the outcome of this trial,
Dutcher may have the policy all to himself, or he may have to share
its coverage with the Cionci Estate, thereby extending the
availability of the proceeds of the policy to satisfy verdicts and
judgments in favor of the two Estate plaintiffs. Sharing the
coverage of a policy of insurance with finite limits with another,
and thereby making that policy available to claimants against that
other person is immediately worth less than having the coverage of
such policy available to Dutcher alone. By the outcome in the
instant case, to the extent that the two Estate plaintiffs will
have the proceeds of the policy available to them in their claims
against Cionci's estate, Dutcher will lose a measure of protection.
Conversely, to the extent that the proceeds of this policy are not
available to the two Estate plaintiffs, Dutcher will gain. . . . It
is sufficient for the purpose of determining adversity [of
interest] that it appears clearly that the measure of Dutcher's
protection under this policy of insurance is dependent upon the
outcome of this suit. That being so, Dutcher's interest in these
proceedings is adverse to the interest of the two Estate
plaintiffs, the parties who represent, on this record, the
interests of the deceased persons in the matter in controversy.'
[
Footnote 11] "
Page 390 U. S. 114
There is a logical error in the Court of Appeals' appropriation
of this reasoning for its own quite different purposes: Dutcher had
an "adverse" interest (sufficient to invoke the Dead Man Rule)
because he would have been
benefited by a ruling
in
favor of the insurance company; the question before the Court
of Appeals, however, was whether Dutcher was
harmed by the
judgment
against the insurance company.
The two questions are not the same. If the three plaintiffs had
lost to the insurance company on the permission issue, that loss
would have ended the matter favorably to Dutcher. If, as has
happened, the three plaintiffs obtain a judgment against the
insurance company on the permission issue, Dutcher may still claim
that, as a nonparty, he is not estopped by that judgment from
relitigating the issue. At that point, it might be argued that
Dutcher should be bound by the previous decision because, although
technically a nonparty, he had purposely bypassed an adequate
opportunity to intervene. We do not now decide whether such an
argument would be correct under the circumstances of this case. If,
however, Dutcher is properly foreclosed by his failure to intervene
in the present litigation, then the joinder issue considered in the
Court of Appeals vanishes, for any rights of Dutcher's have been
lost by his own inaction.
If Dutcher is not foreclosed by his failure to intervene below,
then he is not "bound" by the judgment against the insurance
company and, in theory, he has not been harmed. There remains,
however, the practical question whether Dutcher is likely to have
any need, and if so will have any opportunity, to relitigate. The
only possible threat to him is that, if the fund is used to pay
judgments against Cionci the money may, in fact, have disappeared
before Dutcher has an opportunity to
Page 390 U. S. 115
assert his interest. Upon examination, we find this supposed
threat neither large nor unavoidable.
The state court actions against Dutcher had lain dormant for
years at the pleading stage by the time the Court of Appeals acted.
Petitioner asserts here that, under the applicable Pennsylvania
vicarious liability law, there is virtually no chance of recovery
against Dutcher. We do not accept this assertion as fact, but the
matter could have been explored below. Furthermore, even in the
event of tort judgments against Dutcher, it is unlikely that he
will be prejudiced by the outcome here. The potential claimants
against Dutcher himself are identical with the potential claimants
against Cionci's estate. Should the claimants seek to collect from
Dutcher personally, he may be able to raise the permission issue
defensively, making it irrelevant that the actual monies paid from
the fund may have disappeared: Dutcher can assert that Cionci did
not have his permission and that, therefore, the payments made on
Cionci's behalf out of Dutcher's insurance policy should properly
be credited against Dutcher's own liability. Of course, when
Dutcher raises this defense, he may lose, either on the merits of
the permission issue or on the ground that the issue is foreclosed
by Dutcher's failure to intervene in the present case, but Dutcher
will not have been prejudiced by the failure of the District Court
here to order him joined.
If the Court of Appeals was unconvinced that the threat to
Dutcher was trivial, it could nevertheless have avoided all
difficulties by proper phrasing of the decree. The District Court,
for unspecified reasons, had refused to order immediate payment on
the Cionci judgment. Payment could have been withheld pending the
suits against Dutcher and relitigation (if that became necessary)
by him. In this Court, furthermore, counsel for
Page 390 U. S. 116
petitioner represented orally that the tort plaintiffs would
accept a limitation of all claims to the amount of the insurance
policy. Obviously, such a compromise could have been reached below
had the Court of Appeals been willing to abandon its rigid approach
and seek ways to preserve what was, as to the parties, subject to
the appellant's other contentions, a perfectly valid judgment.
The suggestion of potential relitigation of the question of
"permission" raises the fourth "interest" at stake in joinder cases
-- efficiency. It might have been preferable, at the trial level,
if there were a forum available in which both the company and
Dutcher could have been made defendants, to dismiss the action and
force the plaintiffs to go elsewhere. Even this preference would
have been highly problematical, however, for the actual threat of
relitigation by Dutcher depended on there being judgments against
him and on the amount of the fund, which was not revealed to the
District Court. By the time the case reached the Court of Appeals,
however, the problematical preference on efficiency grounds had
entirely disappeared: there was no reason then to throw away a
valid judgment just because it did not theoretically settle the
whole controversy.
II
Application of Rule 19(b)'s "equity and good conscience" test
for determining whether to proceed or dismiss would doubtless have
led to a contrary result below. The Court of Appeals' reasons for
disregarding the Rule remain to be examined. [
Footnote 12] The majority of the
Page 390 U. S. 117
court concluded that the Rule was inapplicable because
"substantive" rights are involved, and substantive rights are not
affected by the Federal Rules. Although the
Page 390 U. S. 118
court did not articulate exactly what the substantive rights
are, or what law determines them, we take it to have been making
the following argument: (1) there is a category of persons called
"indispensable parties"; (2) that category is defined by
substantive law and the definition cannot be modified by rule; (3)
the right of a person falling within that category to participate
in the lawsuit in question is also a substantive matter, and is
absolute. [
Footnote 13]
With this, we may contrast the position that is reflected in
Rule 19. Whether a person is "indispensable," that is, whether a
particular lawsuit must be dismissed in the absence of that person,
can only be determined in the context of particular litigation.
[
Footnote 14] There is a
large category, whose limits are not presently in question, of
persons who, in the Rule's terminology, should be "joined if
feasible," and who, in the older terminology, were called either
necessary or indispensable parties. Assuming the existence of a
person who should be joined if feasible, the only further question
arises when joinder is not possible and the court must decide
whether to dismiss or to proceed without him. To use the familiar
but confusing terminology, the decision to proceed is a decision
that the absent person is merely "necessary," while the decision to
dismiss is a decision that he is "indispensable." [
Footnote 15] The
Page 390 U. S. 119
decision whether to dismiss (
i.e., the decision whether
the person missing is "indispensable") must be based on factors
varying with the different cases, some such factors being
substantive, some procedural, some compelling by themselves, and
some subject to balancing against opposing interests. Rule 19 does
not prevent the assertion of compelling substantive interests; it
merely commands the courts to examine each controversy to make
certain that the interests really exist. To say that a court "must"
dismiss in the absence of an indispensable party and that it
"cannot proceed" without him puts the matter the wrong way around:
a court does not know whether a particular person is
"indispensable" until it has examined the situation to determine
whether it can proceed without him.
The Court of Appeals concluded, although it was the first court
to hold, that the 19th century joinder cases in this Court created
a federal, common law, substantive right in a certain class of
persons to be joined in the corresponding lawsuits. [
Footnote 16] At the least, that was not
the
Page 390 U. S. 120
way the matter started. The joinder problem first arose in
equity and in the earliest case giving rise to extended discussion
the problem was the relatively simple one of the inefficiency of
litigation involving only some of the interested persons. A
defendant being sued by several cotenants objected that the other
cotenants were not made parties. Chief Justice Marshall
replied:
"This objection does not affect the jurisdiction, but addresses
itself to the policy of the Court. Courts of equity require that
all the parties concerned in interest shall be brought before them,
that the matter in controversy may be finally settled. This
equitable rule, however, is framed by the Court itself, and is
subject to its discretion. . . . [B]eing introduced by the Court
itself, for the purposes of justice, [the rule] is susceptible of
modification
Page 390 U. S. 121
for the promotion of those purposes. . . . In the exercise of
its discretion, the Court will require the plaintiff to do all in
his power to bring every person concerned in interest before the
Court. But, if the case may be completely decided as between the
litigant parties, the circumstance that an interest exists in some
other person, whom the process of the Court cannot reach . . .
ought not to prevent a decree upon its merits. [
Footnote 17]"
Following this case, there arose three cases, also in equity,
that the Court of Appeals here held to have declared a
"substantive" right to be joined. It is true that these cases
involved what would now be called "substantive" rights. This
substantive involvement of the absent person with the controversy
before the Court was, however, in each case simply an inescapable
fact of the situation presented to the Court for adjudication. The
Court in each case left the outsider with no more "rights" than it
had already found belonged to him. The question in each case was
simply whether, given the substantive involvement of the outsider,
it was proper to proceed to adjudicate as between the parties.
The first of the cases was
Mallow v.
Hinde, 12 Wheat.193, in which, in essence, the
plaintiff sought specific performance of a contract to convey land,
but sought it not against his vendor (who could not be joined), but
against a person who claimed through an entirely different chain of
title. The Court saw that any declaration of rights between the
parties before it would either purport (incorrectly) to determine
the validity of plaintiff's contract with his grantor, or would
decide nothing. The Court said, in language quoted here by the
Court of Appeals:
"In this case, the complainants have no rights separable from,
and independent of, the rights of
Page 390 U. S. 122
persons not made parties. The rights of those not before the
Court lie at the very foundation of the claim of right by the
plaintiffs, and a final decision cannot be made between the parties
litigant without directly affecting and prejudicing the rights of
others not made parties. . . ."
"We do not put this case upon the ground of jurisdiction, but
upon a much broader ground. . . . We put it on the ground that no
Court can adjudicate directly upon a person's right without the
party's being either actually or constructively before the Court.
[
Footnote 18]"
Nothing in this language is inconsistent with the Rule 19
formulation, or otherwise suggests that lower courts are expected
to proceed without examining the actual interest of the nonjoined
person. As the Court explicitly stated, there is no question of
"jurisdiction," and there can be no binding adjudication of a
person's rights in the absence of that person. Rather, the problem,
under the circumstances, was that the substantive involvement of
the grantor was such that, in his absence, there was nothing for
the Court to decide.
The second case relied upon by the Court of Appeals,
Northern Indiana R. Co. v.
Michigan Central R. Co., 15 How. 233, presents a
different aspect of joinder. There, suit was brought for an
injunction against construction
Page 390 U. S. 123
by defendant of a railroad that it was under contract to a
nonjoined outsider to build. Thus, the plaintiff was seeking
equitable relief that would, in practice, abrogate the contractual
rights of a nonparty. Among the unpleasant possibilities entailed
by proceeding was the likelihood that the defendant might find
itself subject to directly conflicting injunctive orders. The Court
ruled that,
". . . in a case like the present, where a court cannot but see
that the interest of the New Albany Company must be vitally
affected if the relief prayed by the complainants be given, the
court must refuse to exercise jurisdiction in the case or become
the instrument of injustice. [
Footnote 19]"
Again, the Court of Appeals' reliance on this language to show
that, in any case where an outsider "may be affected," it is
necessarily unjust to proceed is altogether misplaced: the Court in
Northern Indiana R. Co. simply found that there would be
injustice in proceeding given the particular factual and legal
situation before it. Neither Rule 19 nor we today mean to foreclose
an examination in future cases to see whether an injustice is
being, or might be, done to the substantive, or, for that matter,
constitutional, rights of an outsider by proceeding with a
particular case. In this instance, however, no such examination was
made below, and no such injustice appears on the record here.
The most influential of the cases in which this Court considered
the question whether to proceed or dismiss in the absence of an
interested but not joinable outsider is
Shields v.
Barrow, 17 How. 130, referred to in the opinion
below. There, the Court attempted, perhaps unfortunately, to state
general definitions of those persons
Page 390 U. S. 124
without whom litigation could or could not proceed. In the
former category were placed
"Persons having an interest in the controversy, and who ought to
be made parties in order that the court may act on that rule which
requires it to decide on and finally determine the entire
controversy and do complete justice by adjusting all the rights
involved in it. These persons are commonly termed necessary
parties, but if their interests are separable from those of the
parties before the court, so that the court can proceed to a decree
and do complete and final justice without affecting other persons
not before the court, the latter are not indispensable parties.
[
Footnote 20]"
The persons in the latter category were
"Persons who not only have an interest in the controversy, but
an interest of such a nature that a final decree cannot be made
without either affecting that interest or leaving the controversy
in such a condition that its final termination may be wholly
inconsistent with equity and good conscience. [
Footnote 21]"
These generalizations are still valid today, and they are
consistent with the requirements of Rule 19, but they are not a
substitute for the analysis required by that Rule. Indeed, the
second
Shields definition states, in rather different
fashion, the criteria for decision announced in Rule 19(b). One
basis for dismissal is
Page 390 U. S. 125
prejudice to the rights of an absent party that "cannot" be
avoided in issuance of a final decree. Alternatively, if the decree
can be so written that it protects the interests of the absent
persons, but, as so written, it leaves the controversy so situated
that the outcome may be inconsistent with "equity and good
conscience," the suit should be dismissed.
The majority of the Court of Appeals read
Shields v.
Barrow to say that a person whose interests "may be affected"
by the decree of the court is an indispensable party, and that all
indispensable parties have a "substantive right" to have suits
dismissed in their absence. We are unable to read
Shields
as saying either. It dealt only with persons whose interests must,
unavoidably, be affected by a decree, and it said nothing about
substantive rights. [
Footnote
22] Rule 19(b), which the Court of Appeals dismissed as an
ineffective attempt to change the substantive rights stated in
Shields, is, on the contrary, a valid statement of the
criteria for determining whether to proceed or dismiss in the
forced absence of an interested person. It takes, for aught that
now appears, adequate account of the very real, very substantive
claims to fairness on the part of outsiders that may arise in some
cases. This, however, simply is not such a case.
III
The Court of Appeals stated a second and distinct ground for
reversing the District Court and ordering dismissal of the action.
It will be recalled that, at the
Page 390 U. S. 126
time the present declaratory judgment action came to trial, two
tort actions were pending in the state courts. In one, the estate
of the deceased truck driver, Smith, was suing the estate of
Cionci, as tortfeasor, plus Dutcher, on the theory that Cionci was
doing an errand for him at the time of the accident, plus Lynch's
estate, on the theory that Lynch had been in "control" of Cionci.
Harris, the injured passenger, was suing the same three defendants
on the same theories in a separate action. The Court of Appeals
concluded that, since these actions "presented the mooted question
as to the coverage of the policy," the issue presented in the
present proceeding, the District Court should have declined
jurisdiction in order to allow the state courts to settle this
question of state law.
We believe the Court of Appeals decided this question
incorrectly. While we reaffirm our prior holding that a federal
district court should, in the exercise of discretion, decline to
exercise diversity jurisdiction over a declaratory judgment action
raising issues of state law when those same issues are being
presented contemporaneously to state courts,
e.g., Brillhart v.
Excess Ins. Co., 316 U. S. 491, we
do not find that to be the case here.
This issue, like the joinder issue, was not raised at trial.
While we do not now declare that a court of appeals may never on
its own motion compel dismissal of an action as an unwarranted
intrusion upon state adjudication of state law, we do conclude
that, this being a discretionary matter, the existence of a verdict
reached after a prolonged trial in which the defendants did not
invoke the pending state actions should be taken into consideration
in deciding whether dismissal is the wiser course.
It can hardly be said that Lynch's administrator, the plaintiff
and petitioner in this case, would have had a satisfactory
opportunity to litigate the issue of Cionci's
Page 390 U. S. 127
permission in the state actions. The Court of Appeals said that
"all the persons involved in the accident were parties" to the
state court actions. If the implication is that the state actions
could have resulted in judgments in favor of Lynch's estate and
against the insurance company on the issue of Cionci's permission,
this implication is not correct. The insurance company was not a
party to the tort actions, and was not defending Cionci's estate.
Lynch's estate was a party only in the sense that Lynch's personal
representative (a different person from Lynch's administrator, the
plaintiff in this case) was made a defendant in tort. Furthermore,
the Smith and Harris actions against Cionci had nothing to do with
the issue of insurance coverage: had Smith or Harris won a judgment
against Cionci's estate, they would have had to bring a further
action against the insurance company; this further action could
well have been brought in a federal court. In short, the net result
of dismissal here would presumably have been a diversity action
identical with this one, except that Lynch's estate would have been
compelled to wait upon the convenience of plaintiffs over whom it
had no control, and would have been dependent upon a victory by
those plaintiffs in a suit in which it was a defendant.
The issues that were before the state courts in the tort actions
were not the same as the issues presented by this case. To be sure,
a critical question of fact in both cases was what Dutcher said to
Cionci when he gave him the keys. But, in the state court actions,
the ultimate question was whether Cionci was acting as Dutcher's
agent, thus making Dutcher personally liable for Cionci's tort. In
this case, the question was simply whether Cionci had "permission,"
thus bringing Cionci's own liability within the coverage of the
insurance policy. Resolution of the "agency" issue in the state
court would have had no bearing on the "permission" issue even
if
Page 390 U. S. 128
that resolution were binding on Lynch's estate. Furthermore,
although the state court would have had to rule (and still will
have to do so, if the cases are ever tried) whether or not Dutcher
may testify against the estates under the Dead Man Rule, this
question is also a different one in the state and federal cases. In
the state cases, Dutcher was a defendant, and the question would be
whether he could testify in defense against his own liability. In
the present case, the question was, rather, whether he could
testify, as a nonparty, on the coverage of his insurance
policy.
We think it clear that the judgment below cannot stand. The
judgment is vacated, and the case is remanded to the Court of
Appeals for consideration of those issues raised on appeal that
have not been considered, and, should the Court of Appeals affirm
the District Court as to those issues, for appropriate disposition
preserving the judgment of the District Court and protecting the
interests of nonjoined persons.
It is so ordered.
[
Footnote 1]
Appellants challenged the District Court's ruling on the Dead
Man issue, the fairness of submitting the question as to Harris to
a jury that had been directed to find in favor of the two estates
whose position was factually indistinguishable, and certain
instructions.
[
Footnote 2]
For convenience, we treat these interests in a different order
from that appearing in Rule 19(b). Our list follows that of Reed,
Compulsory Joinder of Parties in Civil Actions, 55 Mich.L.Rev. 327,
330 (1957).
[
Footnote 3]
The Advisory Committee on the Federal Rules of Civil Procedure,
in its Note on the 1966 Revision of Rule 19, quoted at 3 Moore,
Federal Practice � 19.01 (hereinafter cited as "Committee
Note"), comments as follows on the fourth factor listed in Rule
19(b), the adequacy of plaintiff's remedy if the action is
dismissed:
"[T]he court should consider whether there is any assurance that
the plaintiff, if dismissed, could sue effectively in another forum
where better joinder would be possible."
See Fitzgerald v. Haynes, 241 F.2d 417, 420 (C.A.3d
Cir.);
Fouke v. Schenewerk, 197 F.2d 234, 236.
[
Footnote 4]
The Committee Note comments that,
"when the moving party is seeking dismissal in order to protect
himself against a later suit by the absent person . . . and is not
seeking vicariously to protect the absent person against a
prejudicial judgment . . . , his undue delay in making the motion
can properly be counted against him as a reason for denying the
motion."
Of course, where an objection to nonjoinder has been erroneously
overruled in the district court, the court of appeals may correct
the error to prevent harassment of defendants.
Young v.
Powell, 179 F.2d 147.
[
Footnote 5]
See the discussion by Reed,
supra, n 2, at 330-335.
See also
Hazard, Indispensable Party: The Historical Origin of a Procedural
Phantom, 61 Col.L.Rev. 1254 (1961).
[
Footnote 6]
See Keegan v. Humble Oil & Refining Co., 155 F.2d
971.
[
Footnote 7]
See Bourdieu v. Pacific Oil Co., 299 U. S.
65, where this Court held that an inquiry into
indispensability would be unnecessary where the complaint did not
state a cause of action.
But see Calcote v. Texas Pac. Coal
& Oil Co., 157 F.2d 216,
criticized, 2 Barron
& Holtzoff, Federal Practice & Procedure § 516 (1967
Supp.) (Wright ed.).
[
Footnote 8]
E.g., 76 U. S.
Wilson, 9 Wall. 501.
See generally 2 Barron &
Holtzoff, Federal Practice & Procedure § 516 (1967 Supp.)
(Wright ed.).
[
Footnote 9]
E.g., Reed, supra, n 2.
See Kaplan, Continuing Work of the Civil
Committee:1966 Amendments of the Federal Rules of Civil
Procedure(1), 81 Harv.L.Rev. 356 (1967).
Compare Roos v. Texas
Co., 23 F.2d 171.
[
Footnote 10]
As the Committee Note points out, this principle meshes with
others to be considered. An appropriate statement of the question
might be
"Can the decree be written so as to protect the legitimate
interests of outsiders and, if so, would such a decree be adequate
to the plaintiff's needs and an efficient use of judicial
machinery?"
[
Footnote 11]
218 F. Supp. 802, 805-806, quoted at 365 F.2d at 805.
[
Footnote 12]
Rule 19 was completely rewritten subsequent to the proceedings
in the District Court in this case. There is, however, no occasion
for separate consideration of the question whether the action of
the Court of Appeals would have been proper under the old version
of the Rule. The new version was adopted on July 1, 1966, while the
appeal, in which the joinder question first arose, was pending. The
majority in the Court of Appeals did not purport to rely on the
older version, but on its conclusion that the Rule, in either form,
had no application to this case. The dissent below found the Rule
applicable, and concluded that the District Court should not be
reversed on the basis of either version.
The new text of the Rule was not intended as a change in
principles. Rather, the Committee found that the old text "was
defective in its phrasing, and did not point clearly to the proper
basis of decision." This Court, having the ultimate rulemaking
authority subject to congressional veto, approved the Committee's
suggestions. Where the new version emphasizes the pragmatic
consideration of the effects of the alternatives of proceeding or
dismissing, the older version tended to emphasize classification of
parties as "necessary" or "indispensable." Although the two
approaches should come to the same point, since the only reason for
asking whether a person is "necessary" or "indispensable" is in
order to decide whether to proceed or dismiss in his absence, and
since that decision must be made on the basis of practical
considerations,
Shaughnessy v. Pedreiro, 349 U. S.
48, and not by "prescribed formula,"
Niles-Bement
Co. v. Iron Moulders Union, 254 U. S. 77, the
Committee concluded, without directly criticizing the outcome of
any particular case, that there had at times been
"undue preoccupation with abstract classifications of rights or
obligations, as against consideration of the particular
consequences of proceeding with the action and the ways by which
these consequences might be ameliorated by the shaping of final
relief or other precautions."
An excellent example of the cases causing apprehension is
Parker Rust-Proof Co. v. Western Union Tel. Co., 105 F.2d
976. Judge Swan, writing for a panel that included Judges L. Hand
and A. N. Hand, stated that a nonjoined person was an
"indispensable" party to a suit to compel issuance of a patent, but
went on to say that,
"as the object of the rule respecting indispensable parties is
to accomplish justice between all the parties in interest, courts
of equity will not suffer it to be so applied as to defeat the very
purposes of justice."
Id. at 980. On this basis, the Court of Appeals
reversed the District Court's dismissal of the action for
nonjoinder. Under the present version of the Rule, the same result
would be reached for, ultimately, the same reasons. The present
version simply avoids the purely verbal anomaly, an indispensable
person who turns out to be dispensable after all.
[
Footnote 13]
One commentator has stated that,
"[i]f this [the Court of Appeals' position in the present case]
is sound, amended Rule 19 would be invalid. But there is no case
support for the proposition that the judge-made doctrines of
compulsory joinder have created substantive rights beyond the reach
of the rulemaking power."
2 Barron & Holtzoff, Federal Practice & Procedure §
512, n. 21.14 (1967 Supp.) (Wright ed.).
[
Footnote 14]
As the Court has before remarked, "[t]here is no prescribed
formula for determining in every case whether a person . . . is an
indispensable party. . . ."
Niles-Bement Co. v. Iron Moulders
Union, 254 U. S. 77, at
254 U. S.
80.
[
Footnote 15]
The Committee Note puts the matter as follows:
"The subdivision [19(b)] uses the word 'indispensable' only in a
conclusory sense, that is, a person is 'regarded as indispensable'
when he cannot be made a party and, upon consideration of the
factors above mentioned, it is determined that, in his absence it
would be preferable to dismiss the action, rather than to retain
it."
[
Footnote 16]
Numerous cases in the lower federal courts have dealt with
compulsory joinder, and the Court of Appeals concluded that
principles enunciated in those cases required dismissal here.
However, none of the cases cited here or below presented a factual
situation resembling this case: the error made by the Court of
Appeals was precisely its reliance on formulas extracted from their
contexts, rather than on pragmatic analysis. Moreover, although the
Court of Appeals concluded that the "distilled essence" of earlier
cases is that the question whether to dismiss is "substantive," and
that "Rule 19 does not apply to the indispensable party doctrine,"
it found no cases actually so holding.
One of the reasons listed by the Committee Note for the change
in the wording of Rule 19 was "Failure to point to correct basis of
decision." The imprecise and confusing language of the original
wording of the Rule produced a variety of responses in the lower
courts. In some cases, a formulaic approach was employed, making it
difficult now to determine whether the result reached was proper or
not. Other cases demonstrate close attention to the significant
pragmatic considerations involved in the particular circumstances,
leading to a resolution consistent with practical and creative
justice. For examples in the latter category,
see Roos v. Texas
Co., 23 F.2d 171 (C.A.2d Cir.) (L. Hand, J.) (decided prior to
adoption of Fed.Rules Civ.Proc.);
Kroese v. General Steel
Castings Corp., 179 F.2d 760 (C.A.3d Cir.) (Goodrich, J.);
Stevens v. Loomis, 334 F.2d 775 (C.A. 1st Cir.) (Aldrich,
J.). It is interesting that the only judicial recognition found by
the Court of Appeals of its view that indispensability is a
"substantive" matter is a footnote in the last-cited case
attributing to the (then) proposed new formulation of Rule 19 "the
view that what are indispensable parties is a matter of substance,
not of procedure."
Id. at 778, n. 7. Taken in context,
Judge Aldrich's statement refers simply to the view that a decision
whether to dismiss must be made pragmatically, in the context of
the "substance" of each case, rather than by procedural formula.
The statement is hardly support for the proposition that a court of
appeals may ignore Rule 19's command to undertake a practical
examination of circumstances.
[
Footnote 17]
Elmendorf v.
Taylor, 10 Wheat. 152, at
23 U. S.
166-168.
[
Footnote 18]
12 Wheat. at
25 U. S. 198,
quoted at 365 F.2d at 806. The facts were that T, a trustee of land
for the benefit of certain persons, may or may not have conveyed
legal title to defendant Hinde. Plaintiff Mallow claimed equitable
title by virtue of an executory agreement between the trust
beneficiaries and one Langham, who conveyed to plaintiff. Mallow
sued Hinde to compel conveyance of the legal title, but T and the
beneficiaries could not be joined. Hinde contended that the
beneficiaries had no power to sell to Langham, and that the
purported contract had, in any event, been obtained by fraud.
[
Footnote 19]
15 How. at
56 U. S. 246,
quoted at 365 F.2d at 806.
[
Footnote 20]
17 How. at
58 U. S.
139
[
Footnote 21]
Ibid. Plaintiff was suing for rescission of a contract
but was unable to join some of the parties to it. Reed,
supra, n 2, comments
that much later difficulty could have been avoided had this Court
pointed the way in
Shields by undertaking a practical
examination of the facts.
Id. at 340-346. He concludes
that "The facts in the opinion are insufficient to demonstrate that
the result is a just one."
Id. at 344.
See also
Kaplan,
supra, n 9, at
361.
[
Footnote 22]
Indeed, for example, it has been clear that, in a diversity
case, the question of joinder is one of federal law.
E.g., De
Korwin v. First Nat. Bank, 156 F.2d 858, 860, citing
Shields. To be sure, state law questions may arise in
determining what interest the outsider actually has,
e.g.,
Kroese v. General Steel Castings Corp., 179 F.2d 760 (C.A.3d
Cir.), but the ultimate question whether, given those state-defined
interests, a federal court may proceed without the outsider is a
federal matter.